Chief Financial Officer of Citigroup: I feel very good about this year's revenue performance. Citigroup is expected to achieve the high end of the revenue guidance range in 2024, and plans to increase the stock repurchase scale after the bank's capital prospects are further clarified. "It is my top priority to return more of Citi's capital to investors," Mark Mason, chief financial officer of Citigroup, said at a conference organized by Goldman Sachs on Tuesday. "I am well aware of our trading level compared with our peers." Mason also said that the bank expects to reach the high end of the income guidance of $80 billion to $81 billion this year. "So it feels very good," he said. Mason said that spending may also be at the high end of the range. This shows that the bank will realize the forecast of two key indicators at the beginning of the year.WTI crude oil rose more than 1.00% in the day and is now reported at 68.64 USD/barrel.Since 2024, 27 new funds have been established in the US municipal bond ETF market, setting an annual record high. New members include PGIM and Rockefeller Asset Management. However, in the $142 billion municipal bond ETF market, the asset management scale of many ETFs is less than $50 million.
United States Department of Agriculture (USDA): It is estimated that the total inventory of wheat in the United States at the end of the period will be 795 million bushels, and analysts expect 815.08 million bushels. USDA had previously expected 815 million bushels.French President Macron hopes to appoint a new prime minister within 48 hours. French President Macron called representatives of most political parties at the Elysee Palace on the afternoon of December 10th local time to discuss the establishment of the new government and the choice of prime minister. The meeting lasted for three hours. The far-left party "Unyielding France" and the far-right party National Union are not invited. According to the information disclosed by the participants, Macron hopes that the political parties can reach an agreement that at least will not overthrow the new government, and hopes to appoint a new prime minister within 48 hours.Morgan stanley capital international's MSCI Nordic Countries Index fell 0.5%, the worst one-day performance since November 15th (down 1.7%), at 383.03 points. Nibe Industrier AB, a heating technology company, fell 2.0%, which was the worst among the constituent stocks.
Boeing restarted the 737 aircraft production line, and the delivery volume reached a four-year low in November. After a 53-day strike, Boeing said that it had resumed production of the best-selling aircraft, and the company's delivery volume in November fell to a four-year low. Boeing's share price once rose by 5.9% in new york market, and up to now, it has risen by 4.7%. Boeing delivered nine 737 Max aircraft in November, as well as two 787 Dreamliners and two 777 aircraft. All these planes were manufactured and delivered to stock before the strike. The aircraft manufacturer said that the 737 aircraft production line at the Renton plant in the south of Seattle, Washington has fully resumed operation. Boeing had to sort out parts and tools in the weeks after the strike, and at the same time, it had to train and recertify the timekeepers who went on strike during the contract dispute.Israeli Prime Minister Benjamin Netanyahu: If Syria transfers weapons to Hezbollah, Syria will pay the price.In the first 11 months, the average yield of 3,255 private securities products reached 17.3%. According to the latest data of Shenzhen Qianhai Paipai Net Fund Sales Co., Ltd., in the first 11 months of this year, the average yield of 3,255 private securities products with performance display was 17.31%, of which 2,880 products achieved positive returns, accounting for 88.48%. Bao Xiaohui, chairman of Shanghai Changli Asset Management Co., Ltd. said that the average return rate of multi-asset and stock long strategy in the first 11 months of this year was better. On the one hand, it was the opportunity brought by the bottoming out of the A-share market, especially the logic of bottoming out at the beginning of the year; On the other hand, the fundamentals of all sectors are favorable, the effect of "combination boxing" of superimposed fiscal policy is remarkable, and the market liquidity and confidence are improved. These are the main reasons for the better performance of securities private placement related strategies. (Securities Daily)
Strategy guide
Strategy guide 12-14
Strategy guide 12-14
Strategy guide 12-14